$22.50/hr
... balance to general ledger account daily Investigate short payments, deductions, unapplied cash, and missing remittance details. Note patient deductions, co-insurance gaps, contractual write-offs, and ...
$22.50/hr
... balance to general ledger account daily Investigate short payments, deductions, unapplied cash, and missing remittance details. Note patient deductions, co-insurance gaps, contractual write-offs, and ...
$22.50/hr
... balance to general ledger account daily Investigate short payments, deductions, unapplied cash, and missing remittance details. Note patient deductions, co-insurance gaps, contractual write-offs, and ...
Manchester, NH Β· On-site
$22.50/hr
... balance to general ledger account daily Investigate short payments, deductions, unapplied cash, and missing remittance details. Note patient deductions, co-insurance gaps, contractual write-offs, and ...
Manchester, NH Β· On-site
$22.50/hr
... balance to general ledger account daily Investigate short payments, deductions, unapplied cash, and missing remittance details. Note patient deductions, co-insurance gaps, contractual write-offs, and ...
Stow, OH Β· On-site
$55K - $60K/yr
Monitor daily cash balances, banking activity, deposits, withdrawals, and transfers * Prepare daily, weekly, and monthly cash reports and financial schedules * Perform bank and cash account ...
Stow, OH Β· On-site
$55K - $60K/yr
Monitor daily cash balances, banking activity, deposits, withdrawals, and transfers * Prepare daily, weekly, and monthly cash reports and financial schedules * Perform bank and cash account ...
Stow, OH Β· On-site
$55K - $60K/yr
Monitor daily cash balances, banking activity, deposits, withdrawals, and transfers * Prepare daily, weekly, and monthly cash reports and financial schedules * Perform bank and cash account ...
New
Stow, OH Β· On-site
$55K - $60K/yr
Monitor daily cash balances, banking activity, deposits, withdrawals, and transfers * Prepare daily, weekly, and monthly cash reports and financial schedules * Perform bank and cash account ...
New
Tacoma, WA Β· On-site
$76K - $91K/yr
The Staff Accountant Cash will be responsible for tracking daily activity of bank account and reconciling general ledger cash balances to the monthly bank statements. * They also prepare and enters ...
Tacoma, WA Β· On-site
$76K - $91K/yr
The Staff Accountant Cash will be responsible for tracking daily activity of bank account and reconciling general ledger cash balances to the monthly bank statements. * They also prepare and enters ...
Lafayette, LA Β· On-site
Perform daily and monthly cash balancing and reconciliation between bank deposits, remittance files, clearinghouse activity, and the patient accounting system. * Research and resolve posting ...
New
Quick apply
Lafayette, LA Β· On-site
Perform daily and monthly cash balancing and reconciliation between bank deposits, remittance files, clearinghouse activity, and the patient accounting system. * Research and resolve posting ...
New
Lafayette, LA Β· On-site
Perform daily and monthly cash balancing and reconciliation between bank deposits, remittance files, clearinghouse activity, and the patient accounting system. * Research and resolve posting ...
Lafayette, LA Β· On-site
Perform daily and monthly cash balancing and reconciliation between bank deposits, remittance files, clearinghouse activity, and the patient accounting system. * Research and resolve posting ...
Lafayette, LA Β· On-site
Perform daily and monthly cash balancing and reconciliation between bank deposits, remittance files, clearinghouse activity, and the patient accounting system. * Research and resolve posting ...
Lafayette, LA Β· On-site
Perform daily and monthly cash balancing and reconciliation between bank deposits, remittance files, clearinghouse activity, and the patient accounting system. * Research and resolve posting ...
Settles cash drawers and sets up beginning cash balance Generates sales reports for previous business day Orders money from cash service; i.e., Brinks to maintain cash balance in safe Balance safe ...
Settles cash drawers and sets up beginning cash balance Generates sales reports for previous business day Orders money from cash service; i.e., Brinks to maintain cash balance in safe Balance safe ...
Manhattan, NY Β· Hybrid
$81K - $104K/yr
Support annual Cash Balance and Excess Cash Balance pay and interest credit processing by validating eligibility, credited service, FICA calculations and recordkeeper calculations. Assist with ...
Manhattan, NY Β· Hybrid
$81K - $104K/yr
Support annual Cash Balance and Excess Cash Balance pay and interest credit processing by validating eligibility, credited service, FICA calculations and recordkeeper calculations. Assist with ...
BOOKKEEPER DUTIES: β’ Settles cash drawers and sets up beginning cash balance β’ Generates sales reports for previous business day β’ Orders money from cash service; i.e., Brinks to maintain cash ...
BOOKKEEPER DUTIES: β’ Settles cash drawers and sets up beginning cash balance β’ Generates sales reports for previous business day β’ Orders money from cash service; i.e., Brinks to maintain cash ...
Manhattan, NY Β· On-site
$81K - $104K/yr
What You'll Do: β’ Support the day-to-day administration of Defined Contribution, Defined Benefit, Cash Balance, Pension, and Deferred Compensation plans. β’ Review and reconcile 401(k) payroll ...
Manhattan, NY Β· On-site
$81K - $104K/yr
What You'll Do: β’ Support the day-to-day administration of Defined Contribution, Defined Benefit, Cash Balance, Pension, and Deferred Compensation plans. β’ Review and reconcile 401(k) payroll ...
Los Angeles, CA Β· On-site
$18.71/hr
Process daily cash transactions, including deposits, withdrawals, and cash balancing Handle cash operations accurately while adhering to bank policies and procedures Support branch operations by ...
Quick apply
Los Angeles, CA Β· On-site
$18.71/hr
Process daily cash transactions, including deposits, withdrawals, and cash balancing Handle cash operations accurately while adhering to bank policies and procedures Support branch operations by ...
Lawrenceville, NJ Β· On-site
$24 - $28/hr
Prior experience with cash posting, credit balances, or related research. * Knowledge of healthcare revenue cycle processes such as claim submission and payment posting. Skills * Experience with ...
Lawrenceville, NJ Β· On-site
$24 - $28/hr
Prior experience with cash posting, credit balances, or related research. * Knowledge of healthcare revenue cycle processes such as claim submission and payment posting. Skills * Experience with ...
Schertz, TX Β· On-site
Maintain accurate records, handle customer inquiries, and balance transactions daily * Processing ... Cash handling experience in the secure logistics or banking industry * Experience in a coin ...
New
Schertz, TX Β· On-site
Maintain accurate records, handle customer inquiries, and balance transactions daily * Processing ... Cash handling experience in the secure logistics or banking industry * Experience in a coin ...
New
Cape Girardeau, MO Β· On-site
$15 - $17.39/hr
Print off reports from ACTIVE system, Daily Cash Balance, Daily GL Report, and PLU Report. * Count revenue and reconcile with Daily Cash Balance Report. * Responsible for communicating effectively ...
Cape Girardeau, MO Β· On-site
$15 - $17.39/hr
Print off reports from ACTIVE system, Daily Cash Balance, Daily GL Report, and PLU Report. * Count revenue and reconcile with Daily Cash Balance Report. * Responsible for communicating effectively ...
Saint Louis, MO Β· On-site
$19.25 - $23.75/hr
... balances. β’ Investigate and resolve outstanding payment variances while maintaining detailed documentation. β’ Assist with month-end closing activities, including cash-related journal entries and ...
Saint Louis, MO Β· On-site
$19.25 - $23.75/hr
... balances. β’ Investigate and resolve outstanding payment variances while maintaining detailed documentation. β’ Assist with month-end closing activities, including cash-related journal entries and ...
Saint Louis, MO Β· Hybrid
$50K - $60K/yr
Prepare and review account reconciliations related to cash receipts and unapplied cash balances. Investigate and resolve outstanding payment variances while maintaining detailed documentation. Assist ...
Saint Louis, MO Β· Hybrid
$50K - $60K/yr
Prepare and review account reconciliations related to cash receipts and unapplied cash balances. Investigate and resolve outstanding payment variances while maintaining detailed documentation. Assist ...
Anchorage, AK Β· On-site
$130K - $178K/yr
Cash & Balance Sheet Forecasting Build, maintain, and own the Company's shortβterm and longβrange cash flow and balance sheet forecasting models, including the underlying assumptions ...
Anchorage, AK Β· On-site
$130K - $178K/yr
Cash & Balance Sheet Forecasting Build, maintain, and own the Company's shortβterm and longβrange cash flow and balance sheet forecasting models, including the underlying assumptions ...
Birmingham, AL Β· On-site
$18.50 - $23/hr
Altec is hiring a Cash Application Specialist in Birmingham, AL (Corporate Office). This position ... Bank reconciliation support, account balancing, and month-end close processes * Internal controls ...
Birmingham, AL Β· On-site
$18.50 - $23/hr
Altec is hiring a Cash Application Specialist in Birmingham, AL (Corporate Office). This position ... Bank reconciliation support, account balancing, and month-end close processes * Internal controls ...
$14.66 - $16.15
4% of jobs
$16.15 - $17.64
15% of jobs
$18.21 is the 25th percentile. Wages below this are outliers.
$17.64 - $19.12
16% of jobs
$19.12 - $20.61
7% of jobs
The median wage is $21.23 / hr.
$20.61 - $22.09
19% of jobs
$22.80 is the 75th percentile. Wages above this are outliers.
$22.09 - $23.58
29% of jobs
$23.58 - $25.07
5% of jobs
$25.07 - $26.55
1% of jobs
$26.55 - $28.04
1% of jobs
$28.04 - $29.52
1% of jobs
$29.52 - $31.01
1% of jobs
$14
$21
$31
| Aspect | Cash Balance | Bookkeeper |
|---|---|---|
| Required Credentials | Basic accounting knowledge, sometimes certifications | High school diploma, bookkeeping certifications often preferred |
| Work Environment | Financial institutions, corporate finance departments | Small to medium businesses, accounting firms |
| Employer & Industry Usage | Used in finance to track cash on hand | Used to record and maintain financial transactions |
Cash Balance refers to the amount of cash available in an account or at a specific time, often used in financial statements. A Bookkeeper records and maintains financial transactions, including cash balances, ensuring accurate financial records. While both relate to cash management, Cash Balance is a financial metric, whereas Bookkeeper is a role responsible for managing and recording financial data.
On-site
$22.50/hr
Other
Medical, Dental, Vision, Life, Retirement, PTO
Posted 12 days ago
Perform timely and accurate application of daily receipts to client accounts and reconcile cash balance to the general ledger.
Investigate short payments, deductions, unapplied cash, and missing remittance details, and work with teams to clear outstanding items.
Support senior staff with cash forecasting and monitor cash flow for assigned areas of responsibility.
Associate's degree in accounting or business management and two (2) years' experience in healthcare billing OR High school degree and four to six (4-6) years' experience in healthcare billing with emphasis on cash application functions
Proven understanding of accounting cycle of accounts receivable, from generation and recording of revenues to collections, cash application and cash forecasting
Proficiency in Microsoft Excel and major EMR and ERP systems such as Allscripts, Aura and Workday preferred
Strong attention to detail, analytical thinking, and effective communication
Strong familiarity with medical terminology
Valid driver's license and reliable transportation
Essential ResponsibilitiesPerform timely and accurate application of daily receipts to client accounts and reconcile cash balance to general ledger account daily
Investigate short payments, deductions, unapplied cash, and missing remittance details. Note patient deductions, co-insurance gaps, contractual write-offs, and insurance underpayments to senior billing staff to review.
Work with the billing, collections, and customer service teams to clear outstanding items.
Research issues impeding proper cash applications and developing appropriate resolutions.
Support senior staff with cash forecasting and monitor cash flow for all assigned areas of responsibility.
Continually review and update processing of areas of responsibilities to ensure that procedures generate appropriate outcomes.
Follow HIPAA regulations and standard operating procedures to protect sensitive patient billing information.
HoursFull Time, Monday - Friday 8:30am - 5:00pm
Compensation$22.50 hourly
What's in it for you?EOE Ready to make a meaningful difference every day? Become part of a dynamic team dedicated to elevating all abilities, empowering lives, and fostering positive impact in the community. Join the Easterseals NH & VT family, where your passion meets purpose. Easterseals New Hampshire and Vermont elevates people of all abilities. We serve the diverse needs of approximately 18,000 children, adults, seniors, families, and veterans each year. We provide services across two states, and our programs cover areas like early intervention, autism, intellectual and developmental disabilities, adult day and in-home care, behavioral health, family-centered practices for child welfare, housing, and substance use disorders. We help people in New Hampshire and Vermont live their best lives. Joining Easterseals NH & VT presents an opportunity to gain valuable experience, advance your career, and make a meaningful difference in people's lives. Our organization provides various benefits and programs designed to support the well-being of our employees and their families. Explore our offerings here. We are honored to be recognized as a NH Veteran-Friendly Business and a recovery-friendly workplace.